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- 2002042455 contributor B9233156.
- 2002042455 created "2003.".
- 2002042455 date "2003".
- 2002042455 date "2003.".
- 2002042455 dateCopyrighted "2003.".
- 2002042455 description "Includes bibliographical references and index.".
- 2002042455 extent "xv, 444 p. :".
- 2002042455 identifier "1403904588 (hardback)".
- 2002042455 identifier 2002042455.html.
- 2002042455 identifier 2002042455.html.
- 2002042455 identifier 2002042455.html.
- 2002042455 isPartOf "Finance and capital markets".
- 2002042455 issued "2003".
- 2002042455 issued "2003.".
- 2002042455 language "eng".
- 2002042455 publisher "Houndmills, Basingstoke, Hampshire ; New York : Palgrave Macmillan,".
- 2002042455 subject "332.6 21".
- 2002042455 subject "Asset allocation.".
- 2002042455 subject "HG4529.5 .R37 2003".
- 2002042455 subject "Portfolio management.".
- 2002042455 subject "Risk management.".
- 2002042455 title "Quantitative portfolio optimisation, asset allocation and risk management / Mikkel Rasmussen.".
- 2002042455 type "text".